Recent Annual Filings for WWD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,368,915,000 $3,324,249,000 $2,870,278,000 $410,944,000 $439,089,000 $-218,047,000 $131,825,000
2023 $4,010,203,000 $2,914,566,000 $2,638,798,000 $254,260,000 $308,543,000 $-196,473,000 $38,519,000
2022 $3,806,446,000 $2,382,790,000 $2,182,892,000 $144,754,000 $193,638,000 $-442,378,000 $-314,189,000
2021 $4,091,004,000 $2,245,832,000 $2,000,033,000 $232,824,000 $464,669,000 $-136,318,000 $295,192,000
2020 $3,903,336,000 $2,495,665,000 $2,213,784,000 $253,907,000 $349,491,000 $-290,242,000 $54,197,000
2019 $3,956,526,000 $2,900,197,000 $2,579,585,000 $231,283,000 $390,608,000 $-265,599,000 $15,479,000
2018 $3,790,649,000 $2,325,873,000 $2,106,295,000 $158,622,000 $299,292,000 $605,998,000 $-3,958,000
2017 $2,757,109,000 $2,098,685,000 $1,845,938,000 $213,026,000 $307,537,000 $-211,813,000 $6,462,000